Our multidisciplinary team of seasoned industry professionals also includes:

A Harvard Law graduate who leverages over 15 years of hands-on experience trading credit derivatives and structured credit products coupled with perspectives garnered from his legal training to service our clients,

The former Chief Investment Officer of Travelers Insurance’s $100 billion portfolio who also has direct experience managing convertible security and long/short equity portfolios, and

An equity research analyst and risk manager who oversaw a $3 billion fund of funds before becoming responsible for Merrill Lynch’s $26 billion in hedge fund investments.

A securitized products and derivatives expert, with over 20 years of capital markets experience, who has traded over $5 billion in CDOs, asset-backed securities, credit default swaps, and index products.

CMRA Commentary

Our latest releases on the "CMRA Commentary" blog, where we distribute thought pieces on relevant topics:

CMRA in the Media

CMRA's years of market experience have established the firm as an industry voice often sought after by the press and through speaking opportunities. Explore the firm's media presence through our coverage by the press as well as past speeches.

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Explore our Practice

+ Best Practices in Risk Management, Measurement, Governance and Oversight

CMRA has been at the forefront of the development of best practices in risk, establishing standards and criteria for the implementation of policies and procedures.

Effective risk management across an enterprise requires precise quantification of risk using state of the art modeling, qualitative assessments of unquantifiable risks and a governance, oversight and escalation structure.

Risk organizations increasingly report to a CRO who is integrated into the company’s business strategy, but the most effective risk organizations and Enterprise Risk Management programs (ERM) are customized for the individual financial institution and may and should vary widely from company to company.

CMRA's seasoned experts leverage decades of direct experience in the capital markets, sterling academic credentials, and experience navigating the challenges of cross examination and direct testimony to offer expert reports and court testimony, on assessments of both liability and damages. Our clients depend on us to offer clear, independent, and well-supported evidence in a range of complex litigation matters.

+ Independent Advisors for Regulatory Inquiries and Enforcement

When it comes to negotiations and communications with regulators, our principals have experience on both sides of the table. We collaborate with financial institution clients to assess the facts related to regulatory inquiries, and also help regulators navigate nuanced topics such as trading, market structure, and market practice. While the details of our work on regulatory inquiries are confidential, we have been engaged to advise on the trading and portfolio management of the following asset classes:

+ Operational and Risk Due Diligence

Our team leverages its years of experience performing due diligence on alternative investment managers and M&A opportunities both to advise clients seeking to deploy capital and to counsel investment funds seeking to benchmark and improve their practices. Our specialized expertise in derivatives, structured product, and other esoteric asset classes allows us to assess a wide range of equity, fixed income, and hybrid strategies.Learn More